Wednesday, October 30, 2019

The importance of expert systems in the decision making process Essay

The importance of expert systems in the decision making process - Essay Example Expert systems can be used by mangers to make official decision process and to clarify the reasoning process employed to make decisions. Expert systems have provided so many facilities in the management decision-making process and the process turned out to be faster and more consistent. This research paper based on theme of the analysis of the importance of 'Expert system' in the management decision making process.This paper provides the research on the importance of 'Expert System' in the Management Decision Making Process. It provides information in such a way that every aspect of the expert system of the Decision Making can be addressed. First of all this paper will present a brief introduction and background of the expert systems, and then it will present the structure of the expert system, the next section contains how expert system can work for the management of enterprise. The next section is literature review of the relevant research and development in the same field, for thi s purpose it will discuss the development and results of the COMMU expert system, then the proceeding section discusses expert system in business management/ financial markets discussion, here the main point of discussion would be that how expert system become beneficial for the business management and how it can support decision making process. The next section is regarding expert systems & decision support association. The proceeding section will articulate few inabilities of expert system regarding decision making. Then the next section contains the conclusion and references. Artificial intelligence or AI is a field of computer science which has concerned a group of computer specialists in current years. AI is the study of how to create computers doing things at which, at the moment, people are better. AI has two major objectives (Kenneth, 1998). The first purpose is to form an intelligent machine. The second intend is to find out regarding the environment of intelligence. AI can be separated into three comparatively independent research areas: 1) Expert systems, 2) Natural language and 3) Robotics Of the three areas, expert systems development is the mainly important practical application of Artificial Intelligence (AI) (Kenneth, 1998). One of the most recent and mainly promising information technologies is the expert system or ES. An expert system is a computer program that impersonators the decision making behavior and technique of the human expert and permits computing power to be applied to jobs those necessitate the dealing out of human knowledge (Adrian et al, 1990). Because of its intelligent abilities it has been suggested that expert system technology will have a remarkable effect on the workplace. An expert system is a computer program that goes behind human proficiency whether it is gained directly from experts or from written sources like regulations. The main reimbursements are several as given below: (Terry et al, 2000) Enhanced decision making Making eminence and reliability Minimizing Costs Extension of organizational awareness These programs are fairly diverse in their function, which comprise guidance to fresh employees, user friendly front-ends to databases, and still the making of decisions for employees by means of the expert's reasoning. Research in artificial intelligence has led to the intensification and expansion of expert systems (Terry et al, 2000). Expert system is also an elevated performance exceptional system which is developed by "confining" and coding the skill and knowledge of a specialist using unique computer language that is special for the expert system. The thought is that the consequential computer system be able to then hold out the similar level of service to a user as the original and innovative expert (Joseph et al, 2005). Developing expert systems engages two basic steps before authentic

Monday, October 28, 2019

Far from the Madding Crowd Essay Example for Free

Far from the Madding Crowd Essay He admits to Bathsheba at the beginning of the novel that, But I cant match you, I know, in mapping out my mind upon my tongue. He is not a man of words, unlike Troy and Boldwood, but proves that actions can speak louder than words. He is unable to speak the flattery that Troy can, or be as persistent and persuasive as Boldwood is, but in his devoted actions to Bathsheba, by being the hard and diligent worker that he is, he is rewarded in the end, by giving the opportunity to offer Bathsheba the love that he had talked of to her when he had first met her. In contrast to Gabriel, Francis Troy is a man who appears to understand only what he can get out of love. He does not believe in treating women fairly, and which is expressed as he says, treat them fairly and you are a lost man, when referring to women. Hardy also writes about his consistency when telling the truth; He was moderately truthful towards men, but to women he lied like a cretan. By lying to women he found it easy to get what he wanted, as Hardy describes him; he spoke fluently and unceasingly. At the beginning, Hardy remarks that a womans greatest fault is her Vanity. Troy, as he possesses such ease with the words he uses, has learnt that a womans weakness is her vanity, and knows that by flattering them he can get what he wants. This is precisely what he did with Bathsheba, and like her, he felt some sense of triumph when he saw that he had succeeded in weakening the women he flattered, as she did with the men she flirted with. However, instead of making the women he met feel confident, his flattery merely destroyed them, as they became dependent upon him to feed their vain needs. Troy did not have the emotional sense of love, but instead he felt the physical attraction to the women he met. This meant that he only got involved with beautiful women, as it was their beauty that attracted them to him. Even after having left Bathsheba for so long, when he saw her again at Greenhill Sheep Fair, it was her beauty that found unexpected chords of feeling, to be stirred again within him The way in which Troy judged by appearances was perhaps inevitably the cause of his failed marriage to Bathsheba, because he had not got to know Bathsheba as a person, but simply looked at her, as a symbol of beauty. In some ways it could be said that he looked at the women as trophies that he had won. Troy was also a man driven by wealth. Bathsheba, who had come into wealth after the inheritance of the lease of Weatherbury Farm, would have been even more attractive to him as she now had money. We know that he was driven by money, as he used to bet on the horses, which put considerable financial strain on Bathsheba. This was probably the reason why he did not marry Fanny, due to her financial instability. Money was also the reason why he did not return to Bathsheba initially after landing at Liverpool, as Hardy writes, what a life such a future of poverty would be. This, unlike the love felt by Gabriel, was a selfish form of love, because he only ever though of himself. He had a very superficial view of love, which required wealth in order to make him happy. Troys opinions of love did not include the idea of commitment, and another reason for the failure of his marriage could be due to his womanising and flirtatious behaviour. We learn near to the end of the novel that his opinion of marriage is negative and he sees it not as the beginning of two peoples lives together, but as he says himself, all romances end at marriage. He also did not believe in the idea of equality, and shared responsibilities in a relationship, as he abandons Fanny with the great burden of an unborn child to deal with alone. This is probably due to his carefree opinion of sex, which he also valued as much as he did love. Troy did not value love as anything special, and this could be put down to the fact that he had a very unstable background, and an uncertain upbringing. His profession would also have something to do with his opinion of women, and as a soldier, he probably never had to deal with women and did not understand them. This is why he tried to possess them, and this destroyed them. Hardy has some very clear opinions that he wishes to get across to the reader in this novel. He uses the characters as tools, to create a picture for the readers, expressing his personal views on love. He rewards those characters that see love as a simple but precious thing, and he shows how much he admires Gabriel Oak for his powers of endurance, by rewarding him with Bathsheba in the end. In contrast, he punishes those characters that take love too lightly. An example of this is the attitude of Troy which end is death in the end. Hardy warns us of the great power of love and how dangerous it can be. The obsession that Boldwood felt for Bathsheba, is another feeling that he condemns, and shows how life can be ruined because of obsession. This is shown by the lifelong imprisonment of Boldwood. Hardys opinions of love are really exposed at the end of the novel, when he describes his own thoughts about how truelove can develop. He uses Bathsheba and Gabriel as an example of how true love can develop. They were tried friends who enjoyed good-fellowship and comraderie. The main message Hardy is trying to get across to us is that love cannot hide behind a fake face. He writes that in order for a successful relationship to take place, you must know the rougher sides of each others character. This is the love Hardy describes to be the only love which is as strong as death- that love which many waters cannot quench, nor the floods drown.

Saturday, October 26, 2019

Cross-dressing in Twelfth Night, As You Like It, and The Merchant of Ve

Cross-dressing in Twelfth Night, As You Like It, and The Merchant of Venice Any theatrical performance requires a two-fold exchange. The performers must act in such a way as to engage the audience and draw them into the story of the stage. However, the audience itself must yield to the imagination, allowing at times the irrational to take precedent over rational expectations. This exchange between performers and audience creates the dramatic experience; one cannot exist without the other. In the context of Shakespeare's works this relationship becomes exceedingly important. Not only was scenery minimal on the Elizabethan and Jacobean stage, thus forcing audience members to imagine great battles, enchanted forests, and ornate palace courts, but the absence of actresses put an increased burden on the audience's imagination and actors' performance because young, cross-dressed boys performed all female roles. Though the rational logic of the audience recognized the performer as male, the imaginative mind had to assume a feminine gender. Robert Kimbrough has noted: â€Å"people going to the theatre check their literal-mindedness at the door and willingly believe anything they are asked to believe; the theatre is where illusion becomes reality† (17). This reality demonstrated on the stage flourishes in the mind of the audience member where both rational comprehension and imagination coexist. Thus, though it has been argued that the boy actors' cross-dressing allows for a potential â€Å"sodomitical† pleasure to the male audience member (Sedinger 69), such a relationship seems highly unlikely given the nature of theater and the imaginative/rational relationship. It is necessary to understand Shakespeare's female cha... ...-33. Howard, Jean E. â€Å"Crossdressing, the Theatre, and Gender Struggle in Early Modern England.† Shakespeare Quarterly 39.4 (1988): 418-40. Newman, Karen. â€Å"Portia's Ring: Unruly Women and Structure of Exchange in The Merchant of Venice.† Shakespeare Quarterly 38.1 (1987): 19-33. Orgel, Stephen, and A. R. Braunmiller, eds. The Complete Pelican Shakespeare . New York: Penguin, 2002. Rackin, Phyllis. â€Å"Androgyny, Mimesis, and the Marriage of the Boy Heroine on the English Renaissance Stage.† PMLA 102.1 (1987): 29-41. Sedinger, Tracey. â€Å"‘If sight and shape be true': The Epistemology of Crossdressing on the London Stage.† Shakespeare Quarterly 48.1 (1997): 63-79. Shakespeare, William. As You Like It . Orgel and Braunmiller 407-37. ---. The Merchant of Venice . Orgel and Braunmiller 293–323. ---. Twelfth Night . Orgel and Braunmiller 446-73. Cross-dressing in Twelfth Night, As You Like It, and The Merchant of Ve Cross-dressing in Twelfth Night, As You Like It, and The Merchant of Venice Any theatrical performance requires a two-fold exchange. The performers must act in such a way as to engage the audience and draw them into the story of the stage. However, the audience itself must yield to the imagination, allowing at times the irrational to take precedent over rational expectations. This exchange between performers and audience creates the dramatic experience; one cannot exist without the other. In the context of Shakespeare's works this relationship becomes exceedingly important. Not only was scenery minimal on the Elizabethan and Jacobean stage, thus forcing audience members to imagine great battles, enchanted forests, and ornate palace courts, but the absence of actresses put an increased burden on the audience's imagination and actors' performance because young, cross-dressed boys performed all female roles. Though the rational logic of the audience recognized the performer as male, the imaginative mind had to assume a feminine gender. Robert Kimbrough has noted: â€Å"people going to the theatre check their literal-mindedness at the door and willingly believe anything they are asked to believe; the theatre is where illusion becomes reality† (17). This reality demonstrated on the stage flourishes in the mind of the audience member where both rational comprehension and imagination coexist. Thus, though it has been argued that the boy actors' cross-dressing allows for a potential â€Å"sodomitical† pleasure to the male audience member (Sedinger 69), such a relationship seems highly unlikely given the nature of theater and the imaginative/rational relationship. It is necessary to understand Shakespeare's female cha... ...-33. Howard, Jean E. â€Å"Crossdressing, the Theatre, and Gender Struggle in Early Modern England.† Shakespeare Quarterly 39.4 (1988): 418-40. Newman, Karen. â€Å"Portia's Ring: Unruly Women and Structure of Exchange in The Merchant of Venice.† Shakespeare Quarterly 38.1 (1987): 19-33. Orgel, Stephen, and A. R. Braunmiller, eds. The Complete Pelican Shakespeare . New York: Penguin, 2002. Rackin, Phyllis. â€Å"Androgyny, Mimesis, and the Marriage of the Boy Heroine on the English Renaissance Stage.† PMLA 102.1 (1987): 29-41. Sedinger, Tracey. â€Å"‘If sight and shape be true': The Epistemology of Crossdressing on the London Stage.† Shakespeare Quarterly 48.1 (1997): 63-79. Shakespeare, William. As You Like It . Orgel and Braunmiller 407-37. ---. The Merchant of Venice . Orgel and Braunmiller 293–323. ---. Twelfth Night . Orgel and Braunmiller 446-73.

Thursday, October 24, 2019

Exports and Revival of Chickankari

Exports Generally considered a cottage industry, Indian Chikankari Industry has outgrown its image to evolve into a rapid growing industry with a turnover from US $ 1. 2 million to US$ 1. 9 billion in the last decade. There has been a consistent annual growth rate of more than 15 per cent over a 10-year period, from 3. 6% to a respectable 10% share in global embroidery exports. In 2008-2009, the exports of Indian handicrafts has shown an increase of US$ 298. 87 million, i. e. the exports increases by 10. 02% over the similar period during 2008-2009.The industry is expected to triple its export turnover to Rs. 39,000 crore by 2009-10 that in turn will also create around 2 lakh new job opportunities. Revival The industrial revolution and the increasing productivity had slowed down the growth and the quality of arts and crafts, but for some decades now, the scenario has changed and machine-made products no longer attract the people. Presently handicrafts are being considered as vocation al media and it is also opted for style statement and the leisure pursuit.Today, the crafts and craftspeople have a vital role to play in modern India – not just as part of its cultural and tradition, but as part of its economic future. The children in front of their small dingy houses play in the dust, and fight and cry through the day. But their noise hardly deters the women from stitching delicate designs on sarees, kurta pyjama, salwar kameez, shirts, bed-sheets, pillow covers, cushion covers, etc. Love for stitching It is their love for stitching which keeps the rich chikankari tradition alive in the culturally vibrant city of Lucknow. Around 2. lakh chikankari artisans in Lucknow and nearby Malihabad, Kakori, Unao, Bilagram, Alam Nagar, Bijnaur and Bilaspura villages earn Rs 15 to Rs 50 a day from chikankari work. Chikankari exports fetch more than $12. 5 million a year for the State and supports a million people in the entire supply chain.Though there is huge demand fo r chikankari work in the domestic and international markets, maintaining the craft's popularity is becoming a big problem. Large-scale mechanisation, entry of similar embroidery works from neighbouring countries, influence of middlemen and the disinterestedness of enior artisans caste a gloom on the craft's future. Senior artisans do not get the price they deserve. The growing societal indifference to aesthetic craft, aggressive consumerism and increasing influence of middlemen in the trade have eroded much of the skill and artistry — many fine chikankari stitching techniques such as kaudi, jodapati, dhumkipati, khjur ki pati, double bakhia, rahejka jakha and gol murri have almost disappeared. Gone are the days when senior chikankari artisans won accolades in the courts of kings and nawabs.It is believed the Moghul queen Noor Jahan was the creator of chikankari work. In fact, the origin of chikankari work goes beyond the medieval period. Greek traveller Megasthenes mentions a bout Indians making fine embroidery work on muslin cloth in 3 BC. In three phases The exotic chikankari work is made in three phases. The artisan first imagines the motifs of different flowers, creepers, birds, animals, geometric shapes, etc. Then the wooden blocks of the motifs are prepared to make an imprint on the cloth base.The artisans then blend different stitching techniques to instil life into those motifs which are then stitched on cotton, silk, georgette, chiffon and other fabrics. Images of Taj Mahal, temples, mosques, and so on, are woven on clothes with amazing dexterity. The State's handicraft department also provides computer-generated designs to artisans. Though there is no dearth of designs and innovation there is a shortage of skilled workers. Today, there are more daily wagers than real artists in Lucknow.Naseem Bano, the national award winner from Lucknow, still preserves the skill of making anokhi chikan which is known only to a few artisans in Lucknow. The arti san combines morie, kali and keherki stitching to make the subject look as if it is painted with a fine brush. It is believed the famous chikankari artisan Hasan Mirza had created anokhi chikan in the 1960s. Anokhi and other fine chikan work were as costly as gold in the western and European market. The skill and artistry of the chikankari craft must be preserved, as it has the potential to generate revenue and employment on a sustainable basis.

Wednesday, October 23, 2019

Greek Art – Continuity/Change over Time

Over time, a culture’s art will change or improve in some way. Some characteristics may remain the same while other characteristics change drastically. Art in the Archaic era and the Classical era had no emotion and unrealistic features, but the Classical era brought a sense of anatomy and movement to its art. In the Archaic era and Classical era, emotion was not present in art. Characters had plain expressions on their faces; their eyes told nothing, regardless of what they were doing. The Discobolus sculpture from the Classical era depicts a man who about to throw a disc, which was a common Greek sport. However, instead of competitive or determined look on his face, he is emotionless. The man’s face is blank, as if bored or tired. Another characteristic that remained constant throughout the Archaic era and Classical era was unrealistic features. Kouros, from the Archaic era, is an excellent example of the unnatural features from the two eras. Kouros is a statue of a man with stylized hair and blank eyes. During this time period, hair did not look natural and flowing, but stiff and dramatically detailed. Also, the eyes are blank and do not look as realistic as the eyes seen in later works of art. During the Classical era came around, art began to change and improve. First, the art of the Classical era showed some sense of anatomy. The Three-Seated Goddesses sculpture from the Classical era depicts this sense of anatomy. Although not perfect, the bodies of the goddesses portray the form of a woman through their dresses. Before the Classical era, art from the Archaic era did not exhibit any form such as this. Another change the Classical era brought to art was a sense of movement. During the Archaic era, sculptures portrayed people in stiff, unrealistic poses. In the Classical era, the body became more relaxed and had a more normal position. The Three-Seated Goddesses sculpture shows not only the enhanced sense of anatomy, but also the improvement in movement in the Classical era. The goddesses lounge on a seat, which looks more natural compared to the Kouros sculpture, where the man is standing rigidly with one foot in front of the other. Around the same time as the Archaic and Classical eras, the Zhou Dynasty of China was creating works of art. In 433 B. C. E. , the Bronze Bells were created. The Bronze Bells were created through bronze casting, a significant achievement at this time. Also, each bell can produce two different sounds, one from being hit in the center and one from being hit on the rim. These bells were thought to be used in rituals to communicate with supernatural forces. In conclusion, styles of art continue and change over time. Characteristics such as stylized features and emotionless faces remained constant between the Archaic era and the Classical era. However, in the Classical era, a sense of movement and anatomy was introduced to art. Time will continue to change cultures and their art, just as it influenced the changes and constants of Greek art between the Archaic era and the Classical era.

Tuesday, October 22, 2019

Free Essays on Communications Technology

Communication/ Media Technology This essay will be based on the life and works of some of the more noted innovators in the field of communication and media technology and will include a discussion around how technological advancement may have a detrimental effect on the lives of individuals and society as a whole. Early Methods  ¡Ã‚ ¥Communication ¡Ã‚ ¦ is the act of transmitting and receiving ideas, messages and information. When considering communication between two people it could be described as a by-product or outgrowth of various different methods of self expression that have developed over thousands of years: Gestures accompanied by sounds could have been the beginnings of language. Smoke signals as used by Native Americans, cave paintings and engravings from the Palaeolithic period dating as far back as 10,000  ¡V 40,000 BC are all forms of expression and are efforts to communicate thoughts and ideas. Long before the telephone was developed and became universally available and before the invention of the electric telegraph, communicating over any significant distance would undoubtedly have been protracted and frustrating with letter mail being among the most popular and relied upon method of communication. Semaphore It seems that  ¡Ã‚ ¥fast ¡Ã‚ ¦ long distance technology began during the French revolution, in the late eighteenth century, when French merchant Claude Chappe used a semaphore telegraph to send messages between the French army at Lille and Paris. This was achieved by using a relay system and by changing the position of the arms which were set upon a mast or tower. A message could be sent considerable distances and it was possible to send a semaphore telegraph the 240 kilometres from Lille to Paris in two minutes. Semaphore telegraphs continued to be popular until the early 19th century, until the electric telegraph was invented. Telegraph The electric telegraph was pioneered... Free Essays on Communications Technology Free Essays on Communications Technology Communication/ Media Technology This essay will be based on the life and works of some of the more noted innovators in the field of communication and media technology and will include a discussion around how technological advancement may have a detrimental effect on the lives of individuals and society as a whole. Early Methods  ¡Ã‚ ¥Communication ¡Ã‚ ¦ is the act of transmitting and receiving ideas, messages and information. When considering communication between two people it could be described as a by-product or outgrowth of various different methods of self expression that have developed over thousands of years: Gestures accompanied by sounds could have been the beginnings of language. Smoke signals as used by Native Americans, cave paintings and engravings from the Palaeolithic period dating as far back as 10,000  ¡V 40,000 BC are all forms of expression and are efforts to communicate thoughts and ideas. Long before the telephone was developed and became universally available and before the invention of the electric telegraph, communicating over any significant distance would undoubtedly have been protracted and frustrating with letter mail being among the most popular and relied upon method of communication. Semaphore It seems that  ¡Ã‚ ¥fast ¡Ã‚ ¦ long distance technology began during the French revolution, in the late eighteenth century, when French merchant Claude Chappe used a semaphore telegraph to send messages between the French army at Lille and Paris. This was achieved by using a relay system and by changing the position of the arms which were set upon a mast or tower. A message could be sent considerable distances and it was possible to send a semaphore telegraph the 240 kilometres from Lille to Paris in two minutes. Semaphore telegraphs continued to be popular until the early 19th century, until the electric telegraph was invented. Telegraph The electric telegraph was pioneered...

Monday, October 21, 2019

One Flew over the Cuckoos Nes essays

One Flew over the Cuckoo's Nes essays Analysis ofOne Flew Over the Cuckoo's Nest? Every sixty minutes, when the clock strikes the hour, the cuckoo bird of a cuckoo clock will come out of its hiding place and herald the time with it's chirping ofcuckoo! cuckoo!? In the film, Nurse Ratched and her assistant, like clockwork, call the patients to form a line and receive their medication. Everything has to follow a certain order for Nurse Ratched and those who don't conform are dealt with severely. But the poor treatment of mental patients is not the message that Milo? Forman wishes to convey in the film. It is that our rigid and conformist society punishes and mistreats those who go against the system. Randall McMurphy, as played by Jack Nicholson, is the ultimate non-conformist, having been sent to prison for crimes such as rape. When he arrives at the mental institution, he turns Nurse Ratched's organized, predictable system on its head by gambling, proposing to watch the World Series on television, and even taking the patients on an impromptu, and unauthorized fishing trip. All of this, of course, annoys and disturbs Nurse Ratched to no end. Always dressed in pristine whites, not a hair out of place and her eyebrows perfectly plucked, her rigid control and unwillingness to be flexible to the needs and desires of the patients, represent the majority of society who is not willing to accept radical changes and ostracizes all those who try to introduce them. A third faction of society is represented in the character of Big Chief, a seemingly deaf-mute Indian giant. Big Chief represents all those who see the injustices and mistreatment in society but say nothing because they don't want to get involved. The fact that McMurphy the rebel, draws him out and encourages him to first participate in the basketball game, then to actually speak, shows that many people keep quiet and conform until they just can't take it anymore. The film is rife with symbolism...

Sunday, October 20, 2019

we underestimate one of Google’s most useful tools when it comes to job search Google Alerts. Google Alerts can be extremely helpful for job seekers, and they are free!

we underestimate one of Google’s most useful tools when it comes to job search Google Alerts. Google Alerts can be extremely helpful for job seekers, and they are free! Im grateful to have colleagues who know about things where I do not have particular expertise. Google Alerts is one of those things! Google Alerts are valuable for job seekers and business owners alike. Heres a great guide on how to use them! Guest post by Susan P. Joyce For most of us, Google has become an integral part of our lives. We use it to find the closest gas station, the best cranberry sauce recipe, the correct spelling for antidisestablishmentarianism, and hundreds of other things every day. And yet we underestimate one of Google’s most useful tools when it comes to job search: Google Alerts. Google Alerts can be extremely helpful for job seekers, and they are free! What Are Google Alerts and How Do You Set Them Up? Google Alerts are queries that you design, and that Google runs automatically once you set them up. You receive an email for each alert, with any new content Google has found since the last time it sent you a report. As long as you stay within Google’s 1000-alert limit, you can add, delete, or modify alerts any time you choose. Google offers detailed advice for you on how to set up Google Alerts. Here are some easy basics: Simply go to google.com/alerts, and type in your query and your email address. Once you have entered your query, you can specify the source (web, news, blogs, etc.), language, and region/country. Often, the default settings are fine. If the â€Å"Alert preview† shows you the content you want, enter your email address, click on the â€Å"Create Alert† button, and you are done. Sit back and eagerly await your reports! Benefits of Using Google Alerts in Your Job Search Spending the time and energy to set up Google Alerts carefully will pay off both now and in the future. If you are a job seeker, you can use Alerts to find the best new job and employer for you and keep your online visibility as positive as possible. Google Alerts may help you with key job search activities: Expanding your personal and professional networks. Finding jobs and other professional opportunities. Researching companies to prepare for job interviews. Gathering information about your industry and/or profession. Learn which employers (and people) to avoid. Think you’d remember to run searches on all these topics every day? Think again. Instead, let Google Alerts do the work for you. The Google â€Å"early warning† will help you stay up-to-date and, hopefully, ahead of your competition. To get the benefit of Google Alerts, of course you must actually open and read them on a daily (or at a minimum, weekly) basis. Don’t let this precious information get stale! Google Alerts for Job Search – The Breakdown Here’s how to use Google Alerts for some of your most important job search activities. 1. Monitor your online reputation. The Google results associated with your name, even if it isn’t really you, will likely be seen by your network members, as well as by recruiters and potential employers. You can’t afford not to know what Google is showing when people search on your name! While some say that Googling your own name is â€Å"ego surfing† or â€Å"vanity Googling,† I prefer to call it â€Å"Defensive Googling.† So, set up Google alerts on various forms of your name, particularly the one you use most often professionally. Be on the lookout for something â€Å"bad† – trashy comments in social media, report of a drunk-driving arrest, or any unsavory or unprofessional activity. Then, do your best to distance yourself from that person and situation, including, potentially, sending out a message to recruiters you are working with or your friends in a professional group, carefully explaining that you are not that person. If you want help with researching and managing your online reputation, you might want to check out brandyourself.com. 2. Monitor your target employers. Hopefully, you have a list of specific employers that interest you. You know people who work there, or you are a fan of their products and services, or they are the largest employer in the area. Set up a Google Alert based on each company name. Add additional employers as you find good candidates. Pay attention to the names of senior executives brand names of products and services names of major business partners company location †¦and consider adding those names as new alerts. Then, when you receive an alert about a person or company that is relevant or interesting, consider reaching out to someone- for instance, congratulate them on a new award or contract, or ask about the reorganization at their company. 3. Stay up-to-date with your network. Knowing what is happening with old friends and former colleagues can help you strengthen your personal network. Even simple actions, like a short email when a connection receives recognition, becomes a parent, or has some good (or even bad) news, will make a difference. Set up Google Alerts for the favorite names in your network to learn about interesting things happening in their lives. 4. Keep current with your industry or profession. Thinking you have nothing more to learn about your profession can be the beginning of the end for your career, while staying abreast of events and trends in your industry is essential to moving your career forward. So, use Google Alerts to monitor things like emerging technology, major employers, thought leaders, and even national conferences or local professional gatherings. Google Alerts will keep you relevant if you play your cards right! Bottom Line Google has provided us with a very handy tool in Google Alerts. If you’re not using it, you’re missing out on a great resource for your job search. If you’re using Google Alerts already and getting value, or if you start using them after reading this article, please share about your experience! Online job search expert Susan P. Joyce has been observing the online job search world and teaching online job search skills since 1995. Susan is a two-time layoff â€Å"graduate† who has worked in human resources at Harvard University and in a compensation consulting firm. A veteran of the United States Marine Corps and a former Visiting Scholar at the MIT Sloan School of Management, Susan edits and publishes Job-Hunt.org and writes WorkCoachCafe.com. Category:Job SearchBy Brenda BernsteinApril 10, 2017

Saturday, October 19, 2019

See description Essay Example | Topics and Well Written Essays - 2000 words - 2

See description - Essay Example Further, a context of experience is provided by narration of a personal experience with a company that has used joint venture in foreign expansion. The paper finally concludes that, as apparent in the concept and the context, strategic planning, congruity between the national and organizational cultures between the two entities as well as communications play an important part in order for a joint venture to be successful. When an opportunity is beyond one companys ability in terms of knowledge and resources, most companies resort to forming joint ventures in order to take advantage of the opportunity. While these joint ventures can take place between any entities that wish to combine their expertise and resources for the hope of sharing the gains from the venture, joint ventures are more common on the international business arena (Rod 2009). With the onset of glottalization, joint venture is a usual entry strategy to another geographic market. There are many reasons why companies or entities would resort to forming a joint venture. For one, in many other geographic markets, the entry of an foreign entity is hindered by laws of the land (Makino et al 2007). It is very common that for foreign entities to enter the local market, they must do it by partnering with a local entity, and forming a venture, or an alliance (Chen, Park & Newburry 2009). In the case of the joint venture, the two entities share the stakes in the equity of the newly-formed JV entity. Depending on the terms of the agreement, in most international joint ventures, the local entitys major role is to serve as the gateway to the local market, sometimes in terms of marketing and distribution knowledge, or more depending on the agreement. This is another reason for a company that has global expansion plans to adopt joint ventures—local knowledge of marketing and distribution in order to offer targeted products to certain segments of the market (Makino et al 2007). By taking

Friday, October 18, 2019

Team Working Assignment Example | Topics and Well Written Essays - 2500 words

Team Working - Assignment Example The theories of Belbins, Tuckman, and time management only solidified our project. A team binds itself in a chain only to be stronger. The success of a team is directly proportional to the overall work of the team. There is no "I" in "TEAMWORK". Teamwork is working together - even when apart. The Teamwork can be simply stated that it is less me and more we. In short, the Team can be best explained with this formula. When you complete the Belbin Self-Perception Inventory you will receive - among other reports - a 'fingerprint' of your Team Role preferences. Very few people display characteristics of just one Team Role. Most people have 3 or 4 preferred roles, which can be adopted or eschewed as the situation requires. Every division was made in accordance with the demands of the client. We collectively decided that all of us wanted to be a part of planning the project. While managing utility cost, studio equipment, and premise decision were assigned to one team member. None of us wanted to be left out of marketing campaign and presentation. Experts, Recruitment and Launch event were allotted to 2 members each. Thus subscribing to this theory we managed to fit in a number of roles. The fact that nobody in the team was indispensable made the project a lot easier. Each of us were a substitute for some body. In the absence of one of the team members during the marketing campaign we were prepared look after his work too. There... None of us wanted to be left out of marketing campaign and presentation. Experts, Recruitment and Launch event were allotted to 2 members each. Thus subscribing to this theory we managed to fit in a number of roles. The fact that nobody in the team was indispensable made the project a lot easier. Each of us were a substitute for some body. In the absence of one of the team members during the marketing campaign we were prepared look after his work too. In fact when we were assigning roles to reach we followed the Belbins theory of team roles. Team Roles Description (http://www.belbin.com/rte.aspid=3) Team Role Contribution Allowable weakness Plant Creative, imaginative, unorthodox. Solves difficult problems. Ignores incidentals. Too Preoccupied to communicate effectively. Resource investigator Extrovert, enthusiastic, communicative,. Explores. Develops contacts. Over optimistic. Loses interest once enthusiasm has passes. Co coordinator Mature, confident, a good chair person. Can be seen as manipulative. Offloads personal work. shaper Challenging, dynamic, thrives on pressure. Prone to provocation. Offends people feelings. Monitor evaluator Sober, strategic and discerning. Sees all options and judges accurately. Lacks drive and ability to inspire others. Team worker Cooperative, mild, perceptive and diplomatic. Indecisive in crunch situation. implementer Disciplined, reliable, conservative and efficient. Turns ideas into practical actions. Somewhat inflexible. Slow to respond to new possibilities. Completer finisher Painstaking, conscientious, anxious, searches out errors and omissions. Delivers on time. Inclined to worry unduly. Reluctant to delegate. specialist Single minded, self starting and

How we see and read images Essay Example | Topics and Well Written Essays - 1250 words

How we see and read images - Essay Example While Kilbourne puts more stress on the impact of advertisements on female and teenage representatives, Bordo manages to refer to the impact on both, male and female social groups, providing a reader with a profound historical background as well as real-life cases. Kilbourne’s approach to the advertisement tendencies seems to express a strong feministic point of view according to which women are depicted exclusively either as sex objects or housewives. Bordo’s comments are also valid to this point of view; according to her, such social perception can be explained by men’s desire to bring an uppity woman down to size by reminding her that she is just â€Å"the sex,† even though she has built a successful career† (172). In order to support this point of view Bordo uses different sources of information including historical data, literature reviews as well as personal feelings and experience. Both writers assume that women are constantly exploited through their bodies as well as parts of it as if it is in need of change or improvement (Kilbourne). According to Kilbourne, â€Å"a woman is conditioned to view her face as a mask and her body as an object, as things separate from and more important than her real self, constantly in need of alteration, improvement, and disguise.† Different perception and judgment of man and woman within a society are also discussed by Bordo who refers in her story to the British film The Full Monty. Here, men are playing main roles being exposed to some of the stereotypes women are usually exposed to: â€Å"the naked penis is a symbol for male exposure, vulnerability to an evaluation and judgment that women experience all the time†, either they are closed or naked (Bordo 173). While men merely look undressed for some reason, women are perceived to be in their natural state (Bordo 177). However, further Bordo refers not only to the issue of naked and near naked female

Thursday, October 17, 2019

Any article for fitness such as tips for work out o

Any for fitness such as tips for work out o - Article Example Doing exercise in gym on a regular basis is a time consuming task. Nonetheless, it can not be missed. In order to accommodate their exercise needs in a tight schedule, many people tend to do workout at home. Not only does this practice save time, but also becomes quite convenient for people to exercise on a regular basis. In order to workout at home, one would need such exercise equipment that would not only be cheap, but would also accommodate in the space available in home. Different people have different exercise needs. One should buy the machine that would address one’s area of concern. Step bench, balance balls, exercise cycle, dumbbells and weights are common exercise equipments that can be easily accommodated in homes (Jerkins). In case someone is not able to purchase the products of health fitness, then he/she should acquire second hand equipment. With time, more equipment can be gathered. It is not essential to purchase everything at the same time. As one’s nee ds grow, so should the collection of exercise equipment. Works Cited: Jerkins, Hanna. â€Å"Tips To Choose Best Bodybuilding Equipments for Workout.† 25 Mar. 2011. Web. 20 Apr. 2011. .

D'Andrea Special Occasion Baskets Essay Example | Topics and Well Written Essays - 1000 words

D'Andrea Special Occasion Baskets - Essay Example Me and my partner plans to open a retail shop of gift baskets located storefront in our local shopping mall as well as a virtual storefront on the Web. We envision our shop to be the most up-to-date, fastest, most accessible and the most outstanding gift basket shop in the whole area. Our store will boost of everything that our clients want-from birthday, funeral, Thanksgiving or just a mere "Thank You" gift basket. Every time a new client enters the shop, that person should feel as if they are transported into a new dimension. The store will be filled with 20th century charm but surrounded with the comfort of 21st century since my partner and I are not new in the retailing industry. Me and my partner already ventured into other business like flower shops, merchandising and clothes retailing. Since college, I have already envisioned myself in the retailing business. Since then, I have designed and became a partner for many companies until I met my new partner just two years ago. From that time on, we started to build small companies. And this gift basket business is the latest addition to our companies. We have realized that the gift basket business is somewhat new to our locality; that is why; we have decided to come up with this idea. With this situation, every advantage is on our side. For starters, we plan to be the number one and leading gift basket retailer shopping shop in the area. We plan to do this by extensive promotions on the area and on the Internet. We would hand out fliers and do promotions on the radio and local newspapers. We will also put a site exclusively devoted to our shop and business. We will put up big banners all over the mall. We will go to different orphanages, houses and business establishments to promote our gift basket business. Secondly, the main ambiance of the shop and the gift baskets would that be of old American countryside. The shop would be mainly decorated with wood and scents of the American countryside. This would be e mulated in our "general" gift basket. Although our clients will be ordering varying gift baskets for certain occasions, our old American touch would still be felt in every gift basket that they order. Every gift basket will have that special touch. As part of our long term goal, our company shall be the pioneering gift basket retail shop that introduces flair and tribute to the old American countryside through its gift baskets. As you might have realized by now, we have a very specific and good vision for our business and we want you to be a part of it. Frankly, we just have enough money to serve as the start-up capital of our retail shop but it is not enough to subsidize for other finances that we need like maintenance, promotional budgets, etc. Due to these, we would like you to be an investor in our company. According to our feasibility, it is one of the most promising businesses that is available in our area. We have also learned from our feasibility that in two years time, we c an already regain our capital; and in five years time, our projected income will be triple as compared from our starting capital. As part of our business, you would be entitled to every 10% of our monthly income to reimburse your investment. After we have paid the money, you will still be a partner of our shop. You can help

Wednesday, October 16, 2019

Any article for fitness such as tips for work out o

Any for fitness such as tips for work out o - Article Example Doing exercise in gym on a regular basis is a time consuming task. Nonetheless, it can not be missed. In order to accommodate their exercise needs in a tight schedule, many people tend to do workout at home. Not only does this practice save time, but also becomes quite convenient for people to exercise on a regular basis. In order to workout at home, one would need such exercise equipment that would not only be cheap, but would also accommodate in the space available in home. Different people have different exercise needs. One should buy the machine that would address one’s area of concern. Step bench, balance balls, exercise cycle, dumbbells and weights are common exercise equipments that can be easily accommodated in homes (Jerkins). In case someone is not able to purchase the products of health fitness, then he/she should acquire second hand equipment. With time, more equipment can be gathered. It is not essential to purchase everything at the same time. As one’s nee ds grow, so should the collection of exercise equipment. Works Cited: Jerkins, Hanna. â€Å"Tips To Choose Best Bodybuilding Equipments for Workout.† 25 Mar. 2011. Web. 20 Apr. 2011. .

Tuesday, October 15, 2019

Construction Law Essay Example | Topics and Well Written Essays - 2000 words - 1

Construction Law - Essay Example In this case, the tender arrived on time, but lay in the letterbox, therefore it was deemed to be a valid offer. A unilateral contract would turn into a bilateral contract through a valid acceptance, signified by a performance of the stipulated terms within the offer. According to I.M. Wormser, the justification for fixing acceptance to a unilateral contract upon completed performance of the stipulated terms is based upon symmetry3. Therefore in terms of the tender, there is no obligation upon the offerer, neither is there any obligation upon the offeree unless and until the stipulated terms of the offer have been completed. An offeree need not perform the stipulated terms, in which case no contract exists. Therefore, the initial tender was sent to Widget by Dig-it Builders but when accepted by Widget, did not yet constitute a formal contract because Dig-it sent a counter offer and when it was not accepted within the stipulated time period, they sent the fax withdrawing their offer. However the original term of the tender is 60 days so the tender still remains open, since only one party has wi thdrawn the offer. The mail indicating acceptance by Widget was posted by the architect on the same day, and the courts have deemed acceptance when a letter is posted4. However it is received on the subsequent day (the 35th) day of the tender. Therefore, this will still be subject to the general rule regarding acceptance, which is the requirement of actual communication5. No legal commitment will be deemed to exist until the acceptance of the offer is communicated to the offerer and up to that point, either party is free to change their minds.6 However, Dig-it’s fax will be construed to be a counter offer in the sense that it is a withdrawal of the original offer, which no longer exists. But the tender is not yet closed because Dig-it has made a counter offer reducing the price, although this will still not be a contract until acceptance is obtained

Monday, October 14, 2019

Technology and modern enterprise Essay Example for Free

Technology and modern enterprise Essay Today billions in advertising dollars flee old media and are pouring into digital efforts, and this shift is reshaping industries and redefining skills needed to reach today’s consumers. Firms are harnessing social media for new product ideas and for millions in sales. Many of the world’s most successful technology firms—organizations that have had tremendous impact on consumers and businesses across industries—were created by young people. Today, tech knowledge can be a key differentiator for the job seeker. It’s the worker without tech skills that needs to be concerned. The aspiring investment banker who doesn’t understand the role of technology in firms and industries can’t possibly provide an accurate guess at how much a company is worth. Lecture 2 Chapter 2-4 Strategy and technology, case of Zara and Netflix Sustainable competitive advantage: financial performance that consistently outperforms their industry peers. According to Porter, the reason so many firms suffer aggressive, margin-eroding competition is because they’ve defined themselves according to operational effectiveness rather than strategic positioning. Operational effectiveness refers to performing the same tasks better than rivals perform them. Everyone wants to be better, but the danger in operational effectiveness is â€Å"sameness.† The fast follower problem exists when savvy rivals watch a pioneer’s efforts, learn from their successes and missteps, then enter the market quickly with a comparable or superior product at a lower cost. Operational effectiveness is critical. Firms must invest in techniques to improve quality, lower cost, and design efficient customer experiences. But for the most part, these efforts can be matched. Because of this, operational effectiveness is usually not sufficient enough to yield sustainable dominance over the competition. In contrast to operational effectiveness, strategic positioning refers to performing different activities from those of rivals, or the same activities in a different way. Technology itself is often very easy to replicate, and those assuming advantage lies in technology alone may find themselves in a profit-eroding arms race with rivals able to match their moves step by step. But while technology can be copied, technology can also play a critical role in creating and strengthening strategic differences—advantages that rivals will struggle to match. Higher inventory turns mean the firm is selling product faster, so it collects money quicker than its rivals do. Resource based view of competitive advantage can help: if a firm is to maintain sustainable competitive advantage, it must control a set of exploitable resources that have four critical characteristics. These resources must be (1) valuable, (2) rare, (3) imperfectly imitable (tough to imitate), and (4) non-substitutable. Dense wave division multiplexing (DWDM) enabled existing fiber to carry more transmissions than ever before. The end result—these new assets weren’t rare and each day they seemed to be less valuable. Firms that craft an imitation-resistant value chain have developed a way of doing business that others will struggle to replicate, and in nearly every successful effort of this kind, technology plays a key enabling role. Sources of switching costs: learning costs, information and data, financial commitment, contractual commitments, search costs, loyalty programs. In order to win customers from an established incumbent, a late-entering rival must offer a product or service that not only exceeds the value offered by the incumbent but also exceeds the incumbent’s value and any customer switching costs. Commodities are products or services that are nearly identically offered from multiple vendors. Consumers buying commodities are highly price-focused since they have so many similar choices. In order to break the commodity trap, many firms leverage technology to differentiate their goods and services. Data is not only a switching cost, it also plays a critical role in differentiation. Network effects (sometimes called network externalities or Metcalfe’s Law) exist when a product or service becomes more valuable as more people use it. Switching costs also play a role in determining the strength of network effects. Tech user investments often go far beyond simply the cost of acquiring a technology. Nothing lasts forever, and shifting technologies and market conditions can render once strong assets as obsolete. It doesn’t matter if it’s easy for new firms to enter a market if these newcomers can’t create and leverage the assets needed to challenge incumbents. Beware of those who say, â€Å"IT doesn’t matter† or refer to the â€Å"myth† of the first mover. This thinking is overly simplistic. It’s not a time or technology lead that provides sustainable competitive advantage; it’s what a firm does with its time and technology lead. If a firm can use a time and technology lead to create valuable assets that others cannot match, it may be able to sustain its advantage. But if the work done in this time and technology lead can be easily matched, then no advantage can be achieved, and a firm may be threatened by new entrants. Industry competition and attractiveness can be described by considering the following five forces: (1) the intensity of rivalry among existing competitors, (2) the potential for new entrants to challenge incumbents, (3) the threat posed by substitute products or services, (4) the power of buyers, and (5) the power of suppliers.

Sunday, October 13, 2019

Hypoglycaemia in a Term Infant Form Diabetic Mother

Hypoglycaemia in a Term Infant Form Diabetic Mother Hypoglycaemia in a term infant form diabetic mother ASSIGNMENT TITLE: Critically analyse the care provided to an infant from a diabetic mother and family The following assignment will discuss the care of an infant within a special care baby unit, the care provided will be critically analysed and local, national guidelines and recent research associated with the care of the infant will be discussed. In order to ensure confidentiality and in accordance with Nursing and Midwifery Council (2015) the infant being discussed will be referred as Infant B. for the purposes of this assignment the nursing framework Casey, A. (1988), will be used. Casey model includes child, family, health, environment and nurse however to personalize the care provided the main focus within this assignment will be concerning blood glucose control though, temperature control, minimized pain, maintaining a safe environment, establishing feeds, communication and family centred care will be discussed as well in relation to blood glucose control. The rationale supporting the use of Casey model is said to focus on family centred care that is redefining the relationships in health care, increasing and becoming one of the main goals on the neonatal units across the world (Staniszewska et al., 2012). Casey, A. (1988) acknowledges the vital role of the parents and family and ensures the everyday care of the child through a partnership and negotiation between parents and family and the nurse (Casey and Mobbs, 1988; Patient- and Family-Centered Care and the Pediatricians Role, 2012). This assignment is focused on the care of infant B, born at term at 41 weeks and two days gestational age within an antenatal diagnosis of maternal diabetes mellitus type I with a birth weight of 3140 grams, over two consecutive night shifts. Admitted to special care with one day of life with diagnosis of hypoglycemia one of the most frequent causes of admission in this sector (NHS Improvement, 2016). The assessment of infant B. was performed at the moment of admission on the first day after transferred from post-natal unit as per Trust policy. An adequate assessment is a crucial component of nursing practice, mandatory for planning and provision of patient and family centred care (Staniszewska et al., 2012) fundamental for their professional accountability and responsibility RCN (2014.) IDM according with UNICEF (2013) are at risk and need to be correctly identified and managed appropriately. The definition of hypoglycemia in the newborn infant has remained controversial because of a lack of significant correlation among plasma glucose concentration, clinical signs, and long-term sequelae (WRIGHT and MARINELLI, 2014; Hay, et al 2009; UNICEF, 2013) Bulbul and Uslu (2016) concluded that there has been no substantial evidence-based progress in defining what constitutes clinically important neonatal hypoglycemia, particularly regarding how it relates to brain injury. However they consider clear the definition of transient and persistent hypoglycemia and their differences (Cornblath et al.,2000). Many authors have suggested a numeric definitions of hypoglycemia that are variable in postnatal age (Cornblath and Ichord, 2000; Harris at al, 2012; Hawdon 2013; Arya at al, 2013; Stomnaroska-Damcevski, 2015; Adamkin, 2016). The value 2.6mmol/l was adopted by many clinicians and by the Trust as well, however there is no scientific justification for this value (Wright and Marinelli, 2014). On admission infant B. presented with a low blood glucose level (BGL) of 1.3mmol/L, In order to increase blood glucose level, a peripheral venous line (PVL) was inserted in right foot as per Trust policy (2012) (NICE,2015), 10% Dextrose bolus administered, started intra venous fluids of 10% Dextrose and a nasogastric tube inserted. Blood glucose level checked 30mins after (NICE, 2015), level increased to 3.1 mmol/l. IV fluids started (60ml/kg/day) (NICE, 2015; BNF, 2015) and BGL checked 1-2 hours after. Frequency was based on infant B condition (Stomnaroska-Damcevski et al, 2015). Dextrose 10% is given to restore blood glucose levels and provide calories minimizing liver glycogen depletion (BNF, 2014). Administration of a 10%Dextrose is protocoled but this value, once more, it is not consensual in literature (BNF, 2010; Arya at al 2013; Adamkin, 2016). A bolus was given first, with higher concentration that infusion, to increase quicker the values and followed by the infusion to stabilize the levels (Adamkin, 2011). The goal is to achieve a blood glucose level of 2.6 to 9mmol/L (Rennie and Kendall, 2013). Frequent Dextrose bolus are not recommended (WHO, 1997) per risk of hyperosmolar cerebral oedema. A study developed by Heagarty (2016) showed significant benefits of oral dextrose gel as an option for treatment of symptomatic hypoglycemia. Shows that is most effective, well tolerated and reduce 50% the incidence of neonatal hypoglycemia in high risk infants, but just for newborn babies in postnatal unit, not indicated for NICU admissions due to severity conditions (BNF, 2015). Hawdon et al (1994) describe a persistent effect and side-effects, and high doses can stimulate insulin release, that can be a reason why oral glucose gel it is not used in NICU. Other option is glucose water however studies (Wight and Marinelli, 2014) indicate that has insufficient energy and lack of protein. At delivery, glucose supply from mother to the infant stops, and consequently glucose concentrations decrease rapidly, until a exogenous source of glucose is available, the infant depends on his hepatic glucose production to face metabolic needs and maintain the homeostasis during the first few days (Boissieu et al. 1995; de Rooy and Hawdon, 2002). The pediatric endocrine society considers the first 48h of a health newborn infant a normal period of transitional hypoglycemia (Cornblath and Ichord, 2000; Merenstein and Gardner, 2011). Low ketones levels, inappropriate preservation of glycogen, and low glucose levels, are characteristics of this period and may activate mechanisms for brain protection (Adamkin, 2016; Standley, et al, 2016). Acute neurophysiological changes occur when human neonates are low in BGL and the long-term significance of these acute changes is not clear (Cornblath and Ichord, 2000). The presence of risks factors, as an infant from a diabetic mother (Rennie and Roberton, 2013) predisposing an infant to hypoglycemia, and increase the risk of persistent hypoglycemia (Thornton et al., 2015). Highlighting the risk factors may determine an appropriate management and a proper planning since the delivery (Lang, 2014) and according with UNICEF (2013) IDM are at risk and need to be correctly identified and managed appropriately. Based on this we can consider infant B a high risk baby to develop hypoglycemia with risk for persistent hypoglycemia. As an IDM, infant B. developed in postnatal period a hypoglycemia episode, this can be considering a transitional hypoglycemia that is caused by hyperinsulinemia (Stanley at, 2015). A study developed by Isles, Dickson and Farquhar (1968) suggests IDM removes glucose quicker than babies from a non-diabetic mother, and that comes from the ability to produce more insulin based on memory of levels experienced in utero. Hyperinsulinism is the most common cause of increased utilization of glucose, and can be temporary, for example when the fetus has been in contact with a hyperglycemic environment by poorly controlled maternal diabetes, (Rennie and Roberton, 2013). In this stage is important to screen for transient and persistent hypoglycemia, the last one with high risk to develop permanent hypoglycemia and consequently induced brain injury (Adamkin, 2011). Neonatal hypoglycemia is commonly asymptomatic but non-specific and extremely variable signs can be presented (Merenstein and Gardner, 2011). In the Trust we apply N-PASS scale to assess pain, agitation and sedation (Hummel et al, 2004) Neurological manifestation as irritability, jitteriness, lethargy, seizure and cardiorespiratory manifestations like cyanosis, pallor, apnea, irregular respirations, tachypnea and cardiac arrest can be presented. Infant B on admission had an appropriate crying not irritable, appropriate behavior, relaxed facial expression, normal tone and with vital signs in normal range. N-PASS scale was applied every three hours when vital signs evaluated, on every procedure and every time that was appropriate. Hypoglycemia cannot be defined only based on single BGL, has to contextualize with infant and mother history (Cornblath and Ichord, 2000). A study developed by Eidelman and Samueloff (2002) associate directly physiopathology of an IDM with metabolic processes including fetal hyperglycemia and fetal hyperinsulinemia, this fetal hypermetabolic state promote somatic growth, obesity, and metabolic disturbance in short and long-term consequences. Diabetic control early in pregnancy is associated with normal neurodevelopment outcome, but according with Schwartz and Teramo, (2000), blood glucose control increases their importance during the pregnancy and especially during the labor and delivery. IDM according with WHO (1997) as high risk for hypoglycemia however, Hawdon (2015) and NICE (2015) says if prenatal and intrapartum are followed by a specialist and monitored this babies should be treated in a first approach as a low risk infant, and the baby can stay with the mother after birth to monitor BGL for 24h or 12h if stable (Adamkin, 2011). IDM is not an indication to be admitted in the neonatal unit. Managing a baby asymptomatic with confirmed hypoglycemia relies on continuing breastfeeding but now more frequently (Amended, 2015), feed 1-3ml/kg (up to 5ml/kg if needed) of expressed breastmilk (EBM) or substitute nutrition (formula, donor human milk) (NICE, 2013; Hegarty, 2016). Increasing frequency will provide more colostrum for the baby, will stimulate the breast to produce more milk, its a moment to practice skin-to-skin, provides a relaxing healthy moment for both encouraging bounding (Adamkin, 2016) Infant B. developed hypoglycemia in post-natal unit and formula milk was started, to receive proper neonatal care had to be separated from mom. This fact interfered with breastfeeding, production of breast milk and bonding between mother and newborn (Sparshott, M., 1997). Mother B didn ´t have any milk production and that was a trigger for a stressful situation. Assessment of knowledge of all situation was done; emotional support was given, educated and encouraged to continuing breastfeeding, explained importance of breastmilk. Colostrum is the first milk produced by a mother, as a high concentration of nutrient and sugar and ideal to help blood glucose level to reach acceptable values (Wight and Marinelli, 2014). Breastmilk is preferred to formula for association with increase of ketones production (Hawdon et al 1992) and lower blood glucose values in term babies fed with formula, related with insulinogenic effect of protein in formula (Lucas et al, 1981). In partnership with mother B. was planned to stop formula milk when possible and all the EBM expressed was given to infant B. Encourage skin-to-skin contact and unlimited access to breast. (Wight and Marinelli, 2014) It is extensively documented in the literature (Tessier, (1998); Almeida et al., 2010; Heidarzadeh et al., 2013; Blackman, 2013) that kangaroo care provides health benefits not only for the infant but also for parents. A study performed by Heidarzadeh et al. (2013) conclude 62.5% of the mothers that provide kangaroo care to their babies were discharged from the hospital exclusively breastfeeding their babies, comparing with 37.5% of the group that didnt provide kangaroo care. Almeida et al. (2010) in a similar study concludes 82% on discharge go home exclusive breastfeeding. Blackman in 2013 performed a study where one of the subjects evaluated was blood glucose level when provided kangaroo care and results were significantly higher comparing with infants that didnt rece ived. Tessier in 1998 cit by Poppy Steering Group (2009) conclude kangaroo care reduce maternal anxiety, and increase a mothers sense of competence and sensitivity towards her infant. After birth, one of the most important changes is related with metabolism energy and thermoregulation. Infant B. is a term baby however, is a newborn and the risk of disturbance of the thermoregulation is present (Arya at al 2013). A newborn after birth, loses heat immediately by evaporation, convection, conduction and radiation, dependent on the ambient air pressure, temperature and humidity and the temperature of surrounding surfaces (Waldron and Mackinnon, 2007) The newborn has an ability to control and balance temperature, glucose and oxygen perfusion constitute the energy triangle (Aylott, 2005) Variations in this gradual transition can result in disturbances of the neonate regulation such as neonatal hypoglycemia or hyperglycemia. Infant B. had initially presented with an axilla temperature of 37.1 °C, normothermic according with World Health Organization (2006), whilst nursed in an open cot. To prevent variations in temperature infant B. was dressed with a vest and Babygro, a hat and wrapped with a shawl and a light blanket on top NHS (2015) and nursed away from draughts and windows to reduce heat loss by convection (Vilinsky and Sheridan, 2014). Furthermore, care was taken to reduce over exposure of the infant due to procedures, as minimize handling and promoting kangaroo care. World Health Organization (1997) describes kangaroo care as a method to keep babies warm and improve the experience during painful procedures as heel pricks (Johnson, 2007). In order to avoid overheat, as Trust policy, temperature was monitored every three hours by use of a tempadot placed under the axilla for 3minutes and room temperature was set at 24-26 °C. It is essential that neonates are nursed within their neutral thermal environment, defined as a temperature where a baby with normal body temperature has a minimal metabolic rate and minimal oxygen consumption (Waldron and Mackinnon, 2007). Hypothermia can lead harmful effects as hypoglycemia, respiratory distress, hypoxia, metabolic acidosis and failure to gain weight (McCall et al, 2010). During this two night shift, Infant B. was able to maintain his temperature. Detect pain in a neonate it ´s a challenge for multiple factors, a complete and efficient evaluation results in an adequate plan of interventions. As referred previously, N-PASS scale it is adopted by the Trust as a tool to assess pain in neonates. Infant B is exposed to frequent acute pain for heel pricks for evaluation of BGG and cannula in left foot. On admission pain score 0 but during the procedures pain score 1 with consolable crying, tachypneic, tachycardic and clenched Non-nutritional sucking with and without sucrose, swaddling or facilitated tucking and kangaroo care are non-pharmacological techniques adopted to minimize pain to infant B. (2016). Non-nutritional sucking demonstrates to be effective to calm and decrease, particularly mild and moderate pain experienced by the neonate and behaviour responses to pain (Liaw et al., 2010). Baby regulates and organizes himself and relief pain through sucking with no nutritional intake objective. Sucrose effect is mediated by endogenous opioid pathways activated by sweet taste (Gibbins and Stevens, 2001). Beyond non-nutritional sucking, others interventions can be applied, and most of them in partnership with family and parents. Individualised developmental care to include family, explained how to reposition the baby in a comfortable way, swaddling and nesting, and during the procedure containment holding. Encourage parents to touch the neonate and talk with him. If the procedure allowed, do kangaroo care. Minimize painful procedures and clustering, discuss with parents schedules and develop a plan with team. Manipulate the environment decreasing noise and light (Sparshott, 1997). An approach based in recognition and appreciation of parents roles, siblings and other family member allow the nurse to recognise critical steps on the care pathway (Staniszewska et al., 2012) Maximising opportunities for communication with parents/ family increasing confidence in role as a parent and supporting parents-infant relationship. Within the special care unit family-centred care is essential as is advocated by the unit in which the care was being received. During this episode infant B. was placed in a normal cot, because he is a term infant and able to maintain his temperature. This fact allowed his mother as well to be more closed, with no physical barriers. The poppy Steering group (2009) indicate through the needs of parents with an infant requiring neonatal support, the findings show that parents need to have the opportunity to get to know their babies, emotional support, involvement in care and decision making and to establish effective communication with health care staff. When mother B. was able to attend the unit she appeared worried and anxious about not being with infant B. in port-natal ward. It was clear that she saw the change to a different place as a barrier. Explained that she can stay all day and night with infant B. only in handover time, she need to leave for 30 mins, was discussed the bette r time for cares and handling the baby for procedures. Infant B. father was not in the unit during the night, went home to rest, nursing staff were the only support available to her. A study developed by the poppy steering group (2009), showed evidence that improved communication and involvement in their baby ´s care promotes positive parent-child interaction and attachment. It is important for them to have the opportunity to spend time with their baby and know them in partnership with the nurse that is responsible to provide emotional support and provide involvement in care being open to discuss decisions to be made and stablishing effective communication. Mother B. referred that the possibility to do skin-to-skin when it is appropriate for her and for her baby, helped her to cope with sensation of losing control of her baby. Create opportunities for the mom to feel participative in the care, especially during feeding time, like helping with nasogastric feeding encourage bounding and promote attachment in situations of separation between mother and infant. (Bliss, 2011) In second night shift Infant B. remains on IV fluids, intravenous infusion rate was increased to 90ml/kg/day, as per Trust policy. Infant B was able to maintain blood glucose levels between 3.1-4.2mmol/L. Following Trust guidelines supported by NICE (2015), glucose measurements are now twice a day after two consecutive measurements above 2.6mmol/L if infant B developed symptoms of hypoglycemia frequency will be increased. Stablishing breastfeeding but followed by top up ´s through nasogastric tube (2mls every 2 hours) (Wight and Marinelli, 2014) given all EBM available and formula milk to achieve amount of milk that infant B needs. Intravenous fluids as decreased as feeds increased, titrating, to meet infant B intake requirements. Infant B was tolerating well his feeds, abdominal not distended and soft, minimal milky aspirates the plan is normalizing baby, decreasing amout of fluid given by intravenous line and increase feeds hoping baby can return to post-natal unit in the next day. Screening high risk babies is other controversial intervention. A utilization of a tool to screen universally IDM after birth will allow more accurate assessments. NICE, 2013 preconize a standard approach, considering IDM healthy babies until any underling condition appears. However Stomnaroska-Damcevski et al (2015) thinks that assessment is important and. Tools like CRIBS and SNAPPE both based in specific criteria but different between should be used. BGL checked by test-strips provides a estimative value, vary 0.5-1mmol/l (Hay et al, 2009) laboratory enzymatic methods is the most accurate method, but results not quick enough for rapid diagnosis, delaying potential interventions and treatment. A Test-strips is important but must be confirmed by a laboratory testing, however the treatment shouldnt be delayed in order to wait for the values, preventing neurologic damage. (Polin, Yoder and Burg, 2001, Adamkin, 2011) All literature consensual in therapeutic through IV dextrose bolus, and IV dextrose continuing infusion, increasing to 12.5% dextrose if values not stable (NICE,2013; Stomnaroska-Damcevski et al ;2015) but when start therapeutic interventions remains not clear. Need more research about oral glucose gel, and more studies about hypoglycaemia to try to understand values of reference and what is dangerous for infant. NICE, 2013, recommends an individualized approach to management with treatment personalized to the specific disorder, taking in mind patient safety and family preferences. Ungraded best practice statement. The available studies are inconclusive and ambivalent about the subject of hypoglycaemia. Primary studies about blood glucose levels are old, and that fact can compromised the conclusion of the case study for up to date resources. Flexibility of sources becomes easy to get lost in the main questions. A case study it ´s about a particular subject and become individualized losing the relevance. However the context of the phenomenon subject of study is explored in its context with is significance and understanding (Gerrish, K. and Lacey, 2006). This subject is something that we expect to see improving and more reflexion about practice. Diversity of literature helps contextualize diferent prespective through the time. Explain to women with insulin-treated pre-existing diabetes that they are at increased risk of hypoglycaemia in the postnatal period, especially when breastfeeding, and advise them to have a meal or snack available before or during feeds. [2008] To test BGL, in the Trust, it is used Bedside glucose reagent test strips, according with Akalay et al (2001) this are inexpensive and practical but are not with significant variance from true blood glucose levels, especially at low glucose concentrations. Ho et al (2004) preformed a study with five different glucometers, concluding that alone they are not sensitive enough to do a diagnose, just for initial assessment, advising a laboratory analysis to be more accurate. Tools para haver tools tinham de diferentes para cada grupo de risco (Harris, 2012) References AACN., NANN., AWHONN., and Watson, R. (2014). Certification and Core Review for Neonatal Intensive Care Nursing. 1st ed. Elsevier Health Sciences. Adamkin, D.H. (2016) Neonatal hypoglycemia, Seminars in Fetal and Neonatal Medicine, . doi: 10.1016/j.siny.2016.08.007 Adamkin, D.H. and Polin, R.A. (2016) Imperfect advice: Neonatal hypoglycemia, The Journal of Pediatrics, 176, pp. 195-196. doi: 10.1016/j.jpeds.2016.05.051 Al-Agha, R., Firth, R., Byrne, M., Murray, S., Daly, S., Foley, M., Smith, S. and Kinsley, B. (2011). Outcome of pregnancy in type 1 diabetes mellitus (T1DMP): results from combined diabetes-obstetrical clinics in Dublin in three university teaching hospitals (1995-2006). Irish Journal of Medical Science, 181(1), pp.105-109. American Academy of Pediatrics and College of Obstetrics and Gynecologists. Guidelines for Perinatal Care. Elk Grove Village, IL: American Academy of Pediatrics; 2012. Armentrout, D. and Caple, J. (1999). Newborn hypoglycemia. Journal of Pediatric Health Care, 13(1), pp.2-6. Arya, V., Senniappan, S., Guemes, M. and Hussain, K. (2013). Neonatal Hypoglycemia. The Indian Journal of Pediatrics, 81(1), pp.58-65. Aylott, M. (2006a) The Neonatal energy triangle part 1; Metabolic adaptation. Paediatric Nursing. 18, 6, 38-42 Casey, A., 1988. A partnership with child and family. Senior Nurse 8(4), 8-9 Cho, H.Y., Jung, I. and Kim, S.J. (2016) The association between maternal hyperglycemia and perinatal outcomes in gestational diabetes mellitus patients, Medicine, 95(36), p. e4712. doi: 10.1097/md.0000000000004712 Clinical Features of Neonates with Hyperinsulinism. (1999). New England Journal of Medicine, 341(9), pp.701-702. Corkin, D., Clarke, S. and Liggett, L. (2011). Care planning in children and young peoples nursing. 1st ed. Chichester, West Sussex, UK: Wiley-Blackwell. Cornblath M, Hawdon JM, Williams AF, Aynsley-Green A, Ward Platt MP, Schwartz R et al. (2000) Controversies regarding definition of neonatal hypoglycaemia: suggested operational thresholds. Pediatrics; 105: 1141-5. Cornblath, M. and Ichord, R. (2000). Hypoglycemia in the neonate. Seminars in Perinatology, 24(2), pp.136-149. Cornblath, M., Hawdon, J., Williams, A., Aynsley-Green, A., Ward-Platt, M., Schwartz, R. and Kalhan, S. (2000). Controversies Regarding Definition of Neonatal Hypoglycemia: Suggested Operational Thresholds. PEDIATRICS, 105(5), pp.1141-1145. de Boissieu, D., Rocchiccioli, F., Kalach, N. and Bougnà ¨res, P. (1995). Ketone Body Turnover at Term and in Premature Newborns in the First 2 Weeks after Birth. Neonatology, 67(2), pp.84-93. de Rooy, L. and Hawdon, J. (2002). Nutritional Factors That Affect the Postnatal Metabolic Adaptation of Full-Term Small- and Large-for-Gestational-Age Infants. PEDIATRICS, 109(3), pp.e42-e42. DePuy, A.M., Coassolo, K.M., Som, D.A. and Smulian, J.C. (2009) Neonatal hypoglycemia in term, nondiabetic pregnancies, American Journal of Obstetrics and Gynecology, 200(5), pp. e45-e51. doi: 10.1016/j.ajog.2008.10.015. Deshpande, S. and Ward Platt, M. (2005) The investigation and management of neonatal hypoglycaemia, Seminars in Fetal and Neonatal Medicine, 10(4), pp. 351-361. doi: 10.1016/j.siny.2005.04.002. Eidelman, A. and Samueloff, A. (2002). The pathophysiology of the fetus of the diabetic mother. Seminars in Perinatology, 26(3), pp.232-236. Feldman, A. and Brown, F. (2016). Management of Type 1 Diabetes in Pregnancy. Curr Diab Rep, 16(8). Gerrish, K. and Lacey, A. (2006). The research process in nursing. 1st ed. Oxford: Blackwell Pub. Gibbins, S. and Stevens, B. (2001). Mechanisms of Sucrose and Non-Nutritive Sucking in Procedural Pain Management in Infants. Pain Research and Management, 6(1), pp.21-28. Guthrie, R., Van Leeuwen, G., Glenn, L. and Jackson, R.L. (1968) The incidence of asymptomatic hypoglycemia in high-risk newborn infants, The Journal of Pediatrics, 72(4), pp. 582-583. doi: 10.1016/s0022-3476(68)80380-4 Hansmann, G. (2009). Neonatal emergencies. 1st ed. Cambridge: Cambridge University Press. Harris, D.L., Weston, P.J. and Harding, J.E. (2012) Incidence of neonatal hypoglycemia in babies identified as at risk, The Journal of Pediatrics, 161(5), pp. 787-791. doi: 10.1016/j.jpeds.2012.05.022. Hay, W., Raju, T., Higgins, R., Kalhan, S. and Devaskar, S. (2009). Knowledge Gaps and Research Needs for Understanding and Treating Neonatal Hypoglycemia: Workshop Report from Eunice Kennedy Shriver National Institute of Child Health and Human Development. The Journal of Pediatrics, 155(5), pp.612-617. Hillman, N., Kallapur, S. and Jobe, A. (2012). Physiology of Transition from Intrauterine to Extrauterine Life. Clinics in Perinatology, 39(4), pp.769-783. Isles, T., Dickson, M. and Farquhar, J. (1968). Glucose Tolerance and Plasma Insulin in Newborn Infants of Normal and Diabetic Mothers. Pediatric Research, 2(3), pp.198-208 Isles, T., Dickson, M. and Farquhar, J. (1968). Glucose Tolerance and Plasma Insulin in Newborn Infants of Normal and Diabetic Mothers. Pediatric Research, 2(3), pp.198-208. Jobe, A. (2015). Transitional neonatal hypoglycemia. The Journal of Pediatrics, 166(6), pp.1329-1332. Johnson AN. The maternal experience of kangaroo holding. J Obstet Gynecol Neonatal Nurs 2007;36(6):568-73. Lang, T. (2014). Neonatal hypoglycemia. Clinical Biochemistry, 47(9), pp.718-719. Liaw, J., Yang, L., Ti, Y., Blackburn, S., Chang, Y. and Sun, L. (2010). Non-nutritive sucking relieves pain for preterm infants during heel stick procedures in Taiwan. Journal of Clinical Nursing, 19(19-20), pp.2741-2751. Lula O.,Lubchenco, M.D, and Harry Bard, M.D (1971) Incidence of hypoglycemia in newborn infants classified by birth weight and gestational age. pediatrics, 47(5), 1971, pp.831-836. Lyon, A. (2004). Applied physiology: temperature control in the newborn infant. Current Paediatrics, 14(2), pp.137-144. Merenstein, G. and Gardner, S. (2011). Merenstein Gardners handbook of neonatal intensive care. 8st ed. St. Louis, Mo.: Mosby Elsevier. Patient- and Family-Centered Care and the Pediatricians Role. (2012). PEDIATRICS, 129(2), pp.394-404. Polin, R., Yoder, M. and Burg, F. (2001). Workbook in practical neonatology. 1st ed. Philadelphia: W.B. Saunders. Polit, D. and Beck, C. (2012). Nursing research. 1st ed. Philadelphia: Wolters Kluwer Health/Lippincott Williams Wilkins. Postnatal Glucose Homeostasis in Late-Preterm and Term Infants. (2011). PEDIATRICS, 127(3), pp.575-579. Rennie, J. and Roberton, N. (2013). Rennie and Robertons textbook of neonatology. 5st ed. Edinburgh: Churchill Livingstone Elsevier. Rozance, P. and Hay, W. (2012). Neonatal Hypoglycemia-Answers, but More Questions. The Journal of Pediatrics, 161(5), pp.775-776. Schwartz, R. and Teramo, K. (2000). Effects of diabetic pregnancy on the fetus and newborn. Seminars in Perinatology, 24(2), pp.120-135. Sparshott, M. (1997). Pain, distress, and the newborn baby. 1st ed. Abingdon, Oxon, OX: Blackwell Science. Staniszewska, S., Brett, J., Redshaw, M., Hamilton, K., Newburn, M., Jones, N. and Taylor, L. (2012). The POPPY Study: Developing a Model of Family-Centred Care for Neonatal Units. Worldviews on Evidence-Based Nursing, 9(4), pp.243-255. Stanley, C., Rozance, P., Thornton, P., De Leon, D., Harris, D., Haymond, M., Hussain, K., Levitsky, L., Murad, M., Simmons, R., Sperling, M., Weinstein, D., White, N. and Wolfsdorf, J. (2015). Re-Evaluating Transitional Neonatal Hypoglycemia: Mechanism and Implications for Management. The Journal of Pediatrics, 166(6), pp.1520-1525.e1. Stomnaroska-Damcevski, O., Petkovska, E., Jancevska, S. and Danilovski, D. (2015). Neonatal Hypoglycemia: A Continuing Debate in Definition and Management. PRILOZI, 36(3). Strozik, K., Pieper, C. and Roller, J. (1997). Capillary refilling time in newborn babies: normal values. Archives of Disease in Childhood Fetal and Neonatal Edition, 76(3), pp.F193-F196. Thornton, P., Stanley, C., De Leon, D., Harris, D., Haymond, M., Hussain, K., Levitsky, L., Murad, M., Rozance, P., Simmons, R., Sperling, M., Weinstein, D., White, N. and Wolfsdorf, J. (2015). Recommendations from the Pediatric Endocrine Society for Evaluation and Management of Persistent Hypoglycemia in Neonates, Infants, and Children. The Journal of Pediatrics, 167(2), pp.238-245. Thureen, P. and Hay, W. (2006). Neonatal nutrition and metabolism. Cambridge, UK: New York. Wielandt, H, Schà ¸nemann-Rigel, H, Holst, C, Fenger-Grà ¸n, J 2015, High risk of neonatal complications in children of mothers with gestational diabetes mellitus in their first pregnancy, Danish Medical Journal, 62, 6, MEDLINE, EBSCOhost, viewed 9 October 2016.

Saturday, October 12, 2019

No Wasted Time :: College Admissions Essays

No Wasted Time The first piece of "serious and literary" grown-up fiction I remember reading without duress was All the King's Men by Robert Penn Warren. I was fourteen, and for the past two years my pleasure reading had consisted entirely of science fiction-I consumed one book per day in this genre. Not all of this time was wasted, but the diet had become a little monotonous. The students a year ahead of me in high school were assigned to read Warren's novel. I picked up a copy in a study hall, to while away fifteen minutes of tedium. In that amount of time I was hooked. First edge of cynicism on its poetic valences. When I had read more of the book I was taken by the richness of its meanings, how thoroughly and thoughtfully the sense of every action and episode had been interlocked with all the others. I had wanted to be a writer before, but I had known that this was what a book could do, or that this was how you did it. I reread All the King's Men half a dozen times, for me it was a portal to a whole lot of other serious fiction, but the novel itself holds up very well under such intense poring. George Garrett once said that one of the problems of student writers is that they were fed a diet of masterpieces. Masterpiece fiction is too well made for you to figure out how the writer did it. To pick up technique, the thing to do is read genre.

Friday, October 11, 2019

The Baoule Tribe of West Africa

Queen Awura (Aura) Pokou governed one branch of the Akan’s mighty Ashanti kingdom, which traveled towards the southeast region of the Ivory Coast during the earlier part of the 18 century (qtd. in Laufer 42). Brought about by a conflict of leadership, wherein she turned down efforts to unite with the Ashanti confederacy in the present day Ghana, Pokou directed her tribe south towards the Komoe River banks. Once she asked the priest regarding the dangerous river crossing the tribe were about to embark on, the priest told her that if she offered a sacrifice, her group can successful cross the river.Pokou then offered her son to be sacrificed, crying out the words â€Å"Baouli—the child is dead† (qtd. in Laufer 42). From then on, Pokou’s descendants came to be known as the Baoules (Baule or Baol). The group successfully crossed the river and ended the savanna that rests on the opposite side. It was the start of a tribe which inhabited the central region situa ted between the Bandama and Komoe rivers. Ultimately, the Baoules absorbed many of the preexisting tribes of the region. As a result, they grew to be the most powerful and largest tribe of the Ivory Coast.Even if the Baoules lost a great deal of their political influence in the 19th century, they are still the largest tribe of the Ivory Coast to date (Steiner 90; Uwechue 66). The tribe moved westward from Ghana at the time the Asante assumed power some three hundred years ago. The story of how they escaped from such rule lives on in oral traditions. Pokou’s male descendant did not left the place she founded. He is regarded as the nominal king of the Baoule tribe (University of Iowa). The tribe is one of the ethnic groups of West Africa. The Baoules speak Twa (Yakan 227).Their language is a branch of the Kwa. The Kwa is a branch of the Niger-Congo family of African languages. Being an Akan group, the Baoules have tribal affiliations with several groups past the Ivory Coast, pa rticularly the Akan group of Ghana. The Senufo, Guro, Gan, Dida, Ari, Anyi, and Abbe (Abe) tribes are among the Baoules’ neighbors (Yakan 227). Fishing, animal husbandry, and agriculture serve as their principal economic activities (Yakan 227). A chief as well as a council of elders govern every village. Such rulers represent different lineages.Matrilineal lineages are observed in the Baoule culture (Lovejoy 175). A chief or king heads the Baoule tribe’s highly centralized system of government. The position of the chief of king is inherited (Colin 105). Several sub-chiefs manage the local inhabitants under the jurisdiction of the king. All of the chiefs greatly depend on their political advisors assisting them in the decision making process. As a principal mask association, the Goli group is responsible for the social order among the tribe (University of Iowa). Baoule art is presented in different mediums.Among them is figure and mask carving which is heavily influence d by the tribe’s Guro and Senufo neighbors. Other forms of media are wooden sculpture as well as brass and gold casting, resembling the tribes Asante heritage (Steiner 90). Similar to their fellow Africans, the Baoule tribe is famous for their wooden sculptures celebrating their conventional beliefs (Yakan 228). By tradition, the Baoules believe in a world of spirits. Likewise, they believe in the ancestor cult (Yakan 228). The hierarchy of nature gods and worship of their ancestors are incorporated in the religion they practice.Images of spirit spouses as well as nature spirits are normally sculpted. They regard Alouroua as their creator. However, their creator god is in no way physically represented ever since (University of Iowa). Works Cited â€Å"Baule Information. † 3 November 1998. University of Iowa. 7 March 2009 . Colin Legum. â€Å"Tribal Survival in the Modern African Political System. † The Passing of Tribal Man in Africa. Ed. Peter C. W. Gutkind. Le iden, The Netherlands: E. J. Brill, 1970, 102-112.Laufer, Guida. Women Rulers Throughout the Ages: An Illustrated Guide. Santa Barbara, California: ABC-CLIO, 1999. Lovejoy, Paul E. Transformation in slavery: A History of Slavery in Africa. New York: Cambridge University Press, 2000. Steiner, Christopher B. African Art in Transit. New York: Cambridge University Press, 1994. Uwechue, Raph. Reflections on the Nigerian Civil War: Facing the Future. British Columbia: Trafford Publishing, 2004. Yakan, Muhammad Z. Almanac of African Peoples & Nations. Edison, New Jersey: Transaction Publishers, 1999.

Thursday, October 10, 2019

Islam and Arabic Language Essay

In 571, Mohammad the Prophet took his first order from the God, which is â€Å"read†. Then after many orders, Kor’an the holy book was completed. After the completion of Kor’an, it has been single and certain guide for all the muslims. Yet, if a person want to read and understand that book, that person has to know Arabic Language. The problem is why is Arabic main language of Islam and Koran even though the islam is universal? Before the Islam, arabic was just one of the Language that was spoken in only certain regions in Arabia. But after the Islam whole Arabia had started to talk in arabic because arabia is the region which is starting point of Islam. It was natural but after spreading other parts of the World, The arabic had became main language of some regions which was unnatural. In christianity, for example, for many centuries, Latin was the language of Bible but it could not influence people that made people’s who live in Europe lanugage change. Because unlikely to Islam, people can prey and worship in other language. These restrictions in Islam influence people’s language because worshipping and preying take a lot time and they have to be done everyday. In addition to that Kor’an has to be read in Arabic. Due to these reasons from tunus to Iraq arabic is the main language even though it is not their ancient language. Due to many reason arabic language has spread but some countries such as Iran and India has preserved their language altough they are muslims. The answer lies under their culture. Changing religion just not change belief of community, it also changes culture of community. Thus Iran and India which posses strong culture and language whose roots are older than 3000 years old. It is impossible to change cultures that old. After the Islam, India has become a Great Britain Empires Colony and Iran was ruled by Seljuks yet the results were same these cultures could preserve itself. In a nutshell, spread of arabic language inevitable because of spread of Islam whose main language is arabic but also this influence cannot approach to certain nations due to their strong cultures. Yet it is still unclear that why is the universal religion islam’s main language is arabic? It is still being claimed that Kor’an has not been changed but this reason makes people think that maybe it has been changed because of this reasons.

What Is Modern Technology Provide to Us

What is Modern Technology Provide to Us? â€Å"Technology begins with human nature,† this is a slogan what I believe. There is one question always appear in my mind, what does modern technology bring us? Since development of modern technology, more and more inventions appear. Modern technology was designed to meet human needs, and for convenience. It cannot be denied that modern technology makes our life more convenient; however, modern technologies still bring greater inconvenience than convenience.Complex method of operation is one of the biggest problems when using the modern technology; for example: a millionaire bought a car from Europe to show his wealth, everyone could drive it easily by pushing several buttons because this car was full automatic with its artificial intelligence. But the system setting was very complicated before you started it. Once, this millionaire pushed the wrong buttons and then the car could not move. Then, he had to invite the professional engin eer from Europe to help him solved this problem.After that, he decided not to use those buttons to avoid any problem and troubles. Let’s take the invention of cars as another example, its invention is supposed to enable us to travel faster and is more convenient. But, what happens now? The traffic jams for hours, pollutions appear, every time when I see the traffic jams in any city during the rush hour, I feel that I am so lucky because I don’t have a car. We don’t even know exactly how much time we have to spend or waste on our car. That is the reason why I choose to take populace transportation vehicle.To compare radio and cable, radio can provide news, entertainment or even advertisement as cable does. There is no doubt that cable plays an important role in our lives; however, cable brings numerous negative things as well. Cables transmit more violence and pornography than before. It might affect our new generation. On the other hand, radio still occupies an important role in our life. Most of people don’t really have time to watch the news on television, but they will still listen to the radio have they are driving or so.Modern technologies bring inconvenience because it doesn’t really fit in what we need in our life. Let’s take the most popular invention: cell phone as another example. Nowadays, cell phones become smaller and lighter. Cell phone seems very convenience to us. Nevertheless, this kind of design is not suitable for some of us. Such as the button are too small for senior citizen to click, too expensive to fix. Personally, I am always looking for my cell phone because my cell phone is too small for me. What does modern technology really bring to us?One of my teachers told us that the richest people will get richer and richer. But we are getting poor. It is because those producers are sucking our money because we are buying their new invention. Personally, I strongly believe we should consider if the new est technology can really provide the convenience to us when we try to develop them, or they will only become a trouble for us. Now, I am also thinking about another question: â€Å"If my laptop break down right now and this essay suddenly disappear, how will I feel and what should I do? †

Wednesday, October 9, 2019

Consumer Law Case Study Example | Topics and Well Written Essays - 3000 words

Consumer Law - Case Study Example Sue inquired of the sales assistant whether the labeling means the dye would be suitable for use by those with skin allergies; the assistant replies, I suppose so, that’s what it says on the telly. The statue covering breach of stipulation can be found in the Sale of Goods Act of 1979 in section 14 2(b). Implied terms about quality or fitness is where the seller sells goods in the course of a business, there is an implied condition that the goods supplied under the contract are of merchantable quality, except there is no such condition. If the buyer examines the goods before the contract is made, as regards to defects, which that examination ought to reveal.1 An implied warranty is the shorthand label used in the Product Warranty Liability Act to describe the supplier’s contractual responsibilities (or guarantees) regarding the quality or fitness of the goods. Implied warranties, which don’t depend simply on what the supplier says but are based on the consumerâ⠂¬â„¢s reasonable expectations about the goods in all circumstances. The supplier may be responsible under the implied warranty even if the supplier says nothing at all about the goods, 2 The purpose and nature of implied warranties is to protect the reasonable expectations that a buyer would have about the goods considering all the circumstances of the sale. Because reasonable expectations do not simply depend simply on what the supplier says but on other circumstances as well, implied warranties apply even when the supplier says nothing at all.... the reasonable expectations that a buyer would have about the goods considering all the circumstances of the sale. Because reasonable expectations do not simply depend simply on what the supplier says but on other circumstances as well, implied warranties apply 1Sale of Goods Act 1979 2Product Warranty Liability Act 3 even when the supplier says nothing at all.3 The issue is supported in law bySmith v. Land and HousePropertyCorporation (1884), 28 CHD 7 South Australia, where the court held; "a statement of opinion can be regarded as a statement of fact in certain situations. Such a situation will be where the maker of the statement has greater knowledge or appears by implication, to be able to support that statement.4 This case is buttressed by Dimmock v. Hallet (1866), and Bisset v. Wilkinson (1927) AC 177. Also in Schawel v. Reade (1913) 46 ILT 281, the court held that; "the strength of the inducement can be important, the more emphasis put on representation, the more likely the courts will regard this as a term".5 Also see Rutledge v. McKay (1861) WLR 615, where the court cited Section 14 (2) of the Sale of Goods Act of 1979, and in Wilson v. Rickett, Cockerall and Company LTD. (1954), the court concluded; "the goods supplied must be considered in the units and measures in which they were supplied when examining quality".6 Further in Wilson v. Rickett, the court goes on again to point out the SOGA 1979, Section 14; "that it apply only when the purchaser has relied upon the vendors skill and expertise. It